Discussion paper DP17217 Creating a Safe Asset without Debt Mutualization: the Opportunity of a European Debt Agency Massimo Amato Everardo Belloni Carlo A. Favero Lucio Gobbi 13 Apr 2022 International Macroeconomics and Finance Monetary Economics and Fluctuations H12 H63 H81
VoxEU Column Revising the European fiscal framework, part 2: Debt management Charles-Henri Weymuller Guido Lorenzoni Francesco Giavazzi Veronica Guerrieri Leonardo D'Amico 15 Jan 2022 EU institutions EU policies
Discussion paper DP16331 How China Lends: A Rare Look into 100 Debt Contracts with Foreign Governments Anna Gelpern Sebastian Horn Scott Morris Bradley Parks Christoph Trebesch 6 Jul 2021 International Macroeconomics and Finance F35 F34 H63 K12 K22 K33 P33
Discussion paper DP12304 Managing the UK National Debt 1694-2017 Martin Ellison Andrew Scott 16 Sep 2017 Monetary Economics and Fluctuations E43 E62 H63
Discussion paper DP12272 A Central Bank’s Optimal Balance Sheet Size? Charles Goodhart 5 Sep 2017 Monetary Economics and Fluctuations E50 E52 E63 H63
Discussion paper DP11181 Union Debt Management Elisa Faraglia Rigas Oikonomou Juan Equiza-Goñi 21 Mar 2016 Monetary Economics and Fluctuations E43 E62 H63
Discussion paper DP10281 Government Debt Management: The Long and the Short of It Albert Marcet Andrew Scott Elisa Faraglia Rigas Oikonomou 7 Dec 2014 Financial Economics International Macroeconomics C63 E43 E62 H63
VoxEU Column The impact of the maturity of US government debt on forward rates and the term premium: New results from old data Jagjit Chadha 2 Nov 2014 Financial Markets Macroeconomic policy Monetary Policy
Discussion paper DP9965 Modelling Long Bonds - The Case of Optimal Fiscal Policy Albert Marcet Andrew Scott Elisa Faraglia 4 May 2014 Financial Economics International Macroeconomics E43 E62 H63
Discussion paper DP9407 Bond Market Clienteles, the Yield Curve, and the Optimal Maturity Structure of Government Debt Dimitri Vayanos 31 Mar 2013 Financial Economics International Macroeconomics E43 G11 G12 H21 H63
Discussion paper DP6954 Harnessing Windfall Revenues in Developing Economies: Sovereign Wealth Funds and Optimal Tradeoffs Between Citizen Dividends, Public Infrastructure and Debt Reduction Frederick Van Der Ploeg Anthony Venables 23 Sep 2008 Development Economics International Macroeconomics E60 F34 F35 F43 H21 H63 O11 Q33
Discussion paper DP6859 In Search of a Theory of Debt Management Albert Marcet Andrew Scott Elisa Faraglia 13 Jun 2008 International Macroeconomics E43 E62